Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CNOOC
00883
5
SINOPEC CORP
00386
| (Q1)Mar 31, 2026 | (FY)Dec 31, 2025 | (Q4)Dec 31, 2025 | (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, Cash Equivalents And Short Term Investments | -45.38%84.21B | -45.79%77.93B | -45.79%77.93B | -31.68%90.91B | -13.56%122.05B | -19.39%154.17B | -0.45%143.74B | -0.45%143.74B | 10.46%133.06B | 21.16%141.19B |
| -Cash and cash equivalents | -42.53%80.79B | -45.40%73.08B | -45.40%73.08B | -36.94%82.87B | -17.97%113.39B | -25.20%140.58B | -2.68%133.85B | -2.68%133.85B | 18.39%131.41B | 26.74%138.23B |
| -Short-term investments | -74.88%3.41B | -50.95%4.85B | -50.95%4.85B | 389.63%8.04B | 192.65%8.66B | 312.79%13.59B | 44.51%9.89B | 44.51%9.89B | -82.63%1.64B | -60.33%2.96B |
| Receivables | 24.96%54.64B | 4.06%48.72B | 4.06%48.72B | 16.46%43.43B | -26.51%42.85B | -18.83%43.73B | -27.25%46.82B | -27.25%46.82B | -27.96%37.29B | 69.21%58.31B |
| -Accounts receivable | 18.31%31.11B | -4.94%27.05B | -4.94%27.05B | -0.29%21.34B | -37.13%25.42B | -30.22%26.29B | -26.02%28.46B | -26.02%28.46B | -45.29%21.4B | 64.00%40.43B |
| -Loans receivable | -6.40%184.57M | -79.56%175.73M | -79.56%175.73M | -32.87%179.92M | -80.62%186.17M | -48.91%197.19M | 232.93%859.63M | 232.93%859.63M | -20.25%268.02M | 1,103.77%960.55M |
| -Taxes receivable | 120.06%4.4B | 50.75%4.05B | 50.75%4.05B | 74.98%3.74B | 49.68%2.37B | 28.43%2B | 45.00%2.69B | 45.00%2.69B | 9.61%2.14B | -37.72%1.59B |
| -Other receivables | 24.35%18.95B | 17.73%17.44B | 17.73%17.44B | 34.73%18.17B | -3.02%14.87B | 6.93%15.24B | -37.70%14.82B | -37.70%14.82B | 30.11%13.49B | 113.50%15.34B |
| Inventory | -11.79%19.36B | -8.82%20.75B | -8.82%20.75B | 10.75%22.16B | -9.69%20.8B | -0.57%21.95B | 8.82%22.76B | 8.82%22.76B | -11.66%20.01B | 3.51%23.03B |
| Other current assets | -28.79%5.39B | -10.42%6.14B | -10.42%6.14B | -7.40%5.41B | 46.83%9.29B | 35.94%7.57B | 52.74%6.86B | 52.74%6.86B | 26.36%5.84B | 4.25%6.33B |
| Total current assets | -27.80%165.49B | -29.74%156.07B | -29.74%156.07B | -16.90%164.18B | -14.67%196.05B | -16.19%229.22B | -5.40%222.13B | -5.40%222.13B | -1.57%197.57B | 27.24%229.76B |
| Non current assets | ||||||||||
| Net PPE | 6.52%662.3B | 1.94%623.04B | 1.94%623.04B | 13.18%631.12B | -3.61%607.96B | 2.96%621.76B | 8.50%611.17B | 8.50%611.17B | -5.68%557.63B | 9.52%630.7B |
| -Gross PP&E | 6.52%662.3B | 9.83%1.61T | 9.83%1.61T | 13.18%631.12B | -3.61%607.96B | 2.96%621.76B | 9.04%1.47T | 9.04%1.47T | -5.68%557.63B | 9.52%630.7B |
| -Accumulated depreciation | ---- | -15.47%-987.02B | -15.47%-987.02B | ---- | ---- | ---- | -9.43%-854.76B | -9.43%-854.76B | ---- | ---- |
| Investments and advances | 103.70%40.64B | 100.12%38.28B | 100.12%38.28B | 50.07%25.15B | -13.71%17.12B | 22.25%19.95B | 24.67%19.13B | 24.67%19.13B | 10.22%16.76B | 30.79%19.84B |
| -Long term equity investment | 147.82%31.38B | 145.39%29.93B | 145.39%29.93B | 64.62%17.34B | -26.70%9.72B | 24.57%12.66B | 24.87%12.2B | 24.87%12.2B | 8.76%10.53B | 33.06%13.26B |
| -Including:Available-for-sale securities | 27.08%9.26B | 20.44%8.35B | 20.44%8.35B | 25.46%7.81B | 12.47%7.4B | 18.43%7.29B | 24.32%6.93B | 24.32%6.93B | 12.79%6.22B | 26.44%6.58B |
| Financial assets | 36.75%1.49B | 58.81%2.53B | 58.81%2.53B | 57.06%2.42B | 865.69%2.25B | --1.09B | 330.23%1.6B | 330.23%1.6B | 20,080.46%1.54B | --232.89M |
| Non current accounts receivable | 61.87%21.29B | 53.47%20.12B | 53.47%20.12B | 70.84%20.48B | 0.81%13.33B | 0.60%13.15B | 9.86%13.11B | 9.86%13.11B | -0.89%11.99B | 15.38%13.23B |
| Non current note receivables | -2.70%18.81B | -1.98%18.57B | -1.98%18.57B | -1.35%18.89B | -6.48%19.66B | 128,741.20%19.33B | 126,216.81%18.95B | 126,216.81%18.95B | 127,590.51%19.15B | 140,019.24%21.02B |
| Non current prepaid assets | ---- | -9.46%1.45B | -9.46%1.45B | ---- | ---- | ---- | -4.03%1.6B | -4.03%1.6B | ---- | ---- |
| Goodwill and other intangible assets | 2.37%53.11B | -1.56%50.71B | -1.56%50.71B | 6.23%51.06B | -8.07%50.26B | -4.19%51.88B | 1.19%51.52B | 1.19%51.52B | -17.86%48.06B | -3.95%54.68B |
| -Goodwill | -1.38%45.27B | -5.32%43.54B | -5.32%43.54B | 1.58%44.38B | -11.65%44.06B | -6.96%45.91B | -0.69%45.99B | -0.69%45.99B | -18.87%43.7B | -4.91%49.86B |
| -Other intangible assets | 31.20%7.84B | 29.78%7.17B | 29.78%7.17B | 52.81%6.67B | 29.00%6.21B | 24.31%5.97B | 20.16%5.52B | 20.16%5.52B | -6.20%4.37B | 7.21%4.81B |
| Defined pension benefit | ---- | --0 | --0 | ---- | ---- | ---- | 17.96%2.8B | 17.96%2.8B | ---- | ---- |
| Non current deferred assets | -4.41%19.5B | 0.22%19.63B | 0.22%19.63B | -9.25%19.32B | -8.47%20.08B | -4.37%20.4B | 7.21%19.59B | 7.21%19.59B | 8.53%21.28B | 10.38%21.93B |
| Other non current assets | -35.89%5.28B | -5.09%3.53B | -5.09%3.53B | -34.54%5.14B | -42.01%5.19B | -1.90%8.24B | -3.03%3.71B | -3.03%3.71B | 24.35%7.86B | 44.04%8.94B |
| Total non current assets | 8.81%822.42B | 4.67%777.86B | 4.67%777.86B | 13.05%773.58B | -4.51%735.85B | 5.38%755.8B | 11.25%743.17B | 11.25%743.17B | -2.66%684.28B | 12.41%770.57B |
| Total assets | 0.29%987.92B | -3.25%933.94B | -3.25%933.94B | 6.34%937.76B | -6.84%931.89B | -0.57%985.02B | 6.92%965.3B | 6.92%965.3B | -2.42%881.85B | 15.50%1T |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | 53.52%21.71B | 59.39%21.13B | 59.39%21.13B | 24.61%15.01B | 20.09%15B | 14.21%14.14B | 37.89%13.25B | 37.89%13.25B | 30.02%12.05B | 28.96%12.49B |
| -Current debt | --7.5B | --7.5B | --7.5B | --1.5B | --1.5B | ---- | ---- | ---- | ---- | ---- |
| -Current capital lease obligation | 0.49%14.21B | 2.81%13.63B | 2.81%13.63B | 12.17%13.51B | 8.09%13.5B | 14.21%14.14B | 37.89%13.25B | 37.89%13.25B | 30.02%12.05B | 28.96%12.49B |
| Payables | -0.09%103.03B | -24.34%26.77B | -24.34%26.77B | 10.41%76.49B | -12.27%70.13B | 29.22%103.12B | 43.56%35.39B | 43.56%35.39B | 11.65%69.27B | 61.81%79.94B |
| -accounts payable | 9.67%62.4B | -17.70%9.7B | -17.70%9.7B | 19.22%64.79B | -4.68%58.07B | 11.03%56.9B | 86.24%11.79B | 86.24%11.79B | 8.34%54.35B | 38.38%60.93B |
| -Total tax payable | -14.35%22.16B | -28.61%15.17B | -28.61%15.17B | -21.66%11.7B | -36.58%12.06B | -9.42%25.87B | 25.53%21.25B | 25.53%21.25B | 25.62%14.93B | 253.73%19.02B |
| -Dividends payable | -9.26%18.47B | ---- | ---- | ---- | ---- | --20.35B | ---- | ---- | ---- | ---- |
| -Due to related parties current | ---- | 17.08%1.66B | 17.08%1.66B | ---- | ---- | ---- | 45.18%1.42B | 45.18%1.42B | ---- | ---- |
| -Other payable | ---- | -74.09%241M | -74.09%241M | ---- | ---- | ---- | 124.64%930M | 124.64%930M | ---- | ---- |
| Current accrued expenses | ---- | 17.81%55.32B | 17.81%55.32B | ---- | ---- | ---- | 12.62%46.96B | 12.62%46.96B | ---- | ---- |
| Current provisions | 9.77%5.51B | 7.68%5.64B | 7.68%5.64B | -17.49%3.09B | 20.46%3.81B | 44.21%5.02B | 47.09%5.24B | 47.09%5.24B | 13.61%3.74B | -14.90%3.16B |
| Other current liabilities | 110.82%8.77B | 9.94%5.13B | 9.94%5.13B | -40.49%3.22B | 26.47%5.66B | -56.01%4.16B | -48.55%4.67B | -48.55%4.67B | -6.84%5.4B | 106.81%4.47B |
| Current liabilities | 9.94%139.02B | 8.04%113.99B | 8.04%113.99B | 8.11%97.8B | -5.47%94.6B | 20.28%126.45B | 19.09%105.5B | 19.09%105.5B | 12.52%90.46B | 54.03%100.07B |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -8.34%107.77B | -7.79%105.65B | -7.79%105.65B | 3.09%113.4B | -8.23%111.4B | -3.63%117.58B | -0.73%114.58B | -0.73%114.58B | -10.12%110.01B | 0.66%121.4B |
| -Long term debt | -9.93%85.5B | -12.54%83.1B | -12.54%83.1B | -1.48%90.42B | -9.43%90.87B | -4.67%94.93B | -0.33%95.01B | -0.33%95.01B | -7.93%91.78B | 2.58%100.34B |
| -Long term capital lease obligation | -1.70%22.27B | 15.22%22.55B | 15.22%22.55B | 26.06%22.98B | -2.52%20.53B | 1.00%22.65B | -2.66%19.57B | -2.66%19.57B | -19.70%18.23B | -7.56%21.06B |
| Derivative product liabilities | 509.65%585.58M | 8,316.35%845.17M | 8,316.35%845.17M | 38.20%828.2M | -30.58%1.22B | -90.15%96.05M | -63.41%10.04M | -63.41%10.04M | -47.06%599.28M | 456.54%1.76B |
| Long term provisions | -6.25%141.41B | -10.09%134.47B | -10.09%134.47B | 15.08%154.37B | -4.31%146.73B | 2.36%150.84B | 8.95%149.55B | 8.95%149.55B | 12.68%134.13B | 33.27%153.34B |
| Employee benefits | -7.20%7.29B | -7.52%7.33B | -7.52%7.33B | -19.09%5.92B | -24.16%5.68B | 11.61%7.85B | 12.10%7.93B | 12.10%7.93B | 6.07%7.31B | 11.48%7.49B |
| Non current deferred liabilities | 15.55%57.03B | 0.46%50.14B | 0.46%50.14B | 2.72%48.62B | -13.25%47B | -8.86%49.35B | -4.45%49.91B | -4.45%49.91B | -15.62%47.33B | -1.35%54.17B |
| Other non current liabilities | 1.69%1.98B | 0.49%1.95B | 0.49%1.95B | -3.73%1.89B | -13.06%1.88B | -8.01%1.95B | -29.74%1.94B | -29.74%1.94B | -24.02%1.96B | -14.60%2.17B |
| Total non current liabilities | -3.54%316.07B | -7.27%300.38B | -7.27%300.38B | 7.85%325.01B | -7.76%313.92B | -1.79%327.67B | 2.90%323.92B | 2.90%323.92B | -2.20%301.34B | 13.39%340.33B |
| Total liabilities | 0.21%455.09B | -3.51%414.37B | -3.51%414.37B | 7.91%422.81B | -7.24%408.52B | 3.50%454.12B | 6.46%429.43B | 6.46%429.43B | 0.85%391.81B | 20.62%440.4B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B |
| -common stock | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B | 0.00%3.97B |
| Retained earnings | 5.23%406.16B | 5.91%412.79B | 5.91%412.79B | 6.57%395.95B | 7.54%399.53B | 4.79%385.99B | 11.46%389.77B | 11.46%389.77B | 12.07%371.53B | 12.49%371.53B |
| Paid-in capital | 0.00%105.42B | 0.00%105.42B | 0.00%105.42B | 0.00%105.42B | 0.00%105.42B | 0.00%105.42B | 0.00%105.42B | 0.00%105.42B | 0.00%105.42B | 0.00%105.42B |
| Gains losses not affecting retained earnings | 0.00%17.3B | 0.00%17.3B | 0.00%17.3B | 0.00%17.3B | 0.00%17.3B | 0.00%17.3B | 0.00%17.3B | 0.00%17.3B | 0.00%17.3B | 0.00%17.3B |
| Other equity interest | -101.55%-278.42M | -205.40%-20.17B | -205.40%-20.17B | 5.73%-7.96B | -105.07%-3.11B | -68.31%17.95B | -16.62%19.14B | -16.62%19.14B | -114.85%-8.44B | 39.94%61.45B |
| Other equity interest | -101.55%-278.42M | -205.40%-20.17B | -205.40%-20.17B | 5.73%-7.96B | -105.07%-3.11B | -68.31%17.95B | -16.62%19.14B | -16.62%19.14B | -114.85%-8.44B | 39.94%61.45B |
| Total stockholders'equity | 0.37%532.57B | -3.04%519.31B | -3.04%519.31B | 5.09%514.68B | -6.53%523.11B | -3.82%530.63B | 7.26%535.59B | 7.26%535.59B | -4.91%489.77B | 11.74%559.67B |
| Noncontrolling interests | -4.93%264.61M | -6.47%262.72M | -6.47%262.72M | 1.67%269.97M | -0.26%270.6M | 29.54%278.34M | 141.50%280.89M | 141.50%280.89M | 135.54%265.54M | 136.50%271.31M |
| Total equity | 0.36%532.83B | -3.04%519.57B | -3.04%519.57B | 5.08%514.95B | -6.53%523.38B | -3.81%530.9B | 7.29%535.88B | 7.29%535.88B | -4.88%490.04B | 11.77%559.94B |
| Currency Unit | THB | THB | THB | THB | THB | THB | THB | THB | THB | THB |